CG
Carlyle Group Inc
Price:  
44.27 
USD
Volume:  
1,766,666.00
United States | Capital Markets
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CG WACC - Weighted Average Cost of Capital

The WACC of Carlyle Group Inc (CG) is 7.2%.

The Cost of Equity of Carlyle Group Inc (CG) is 9.35%.
The Cost of Debt of Carlyle Group Inc (CG) is 4.25%.

Range Selected
Cost of equity 7.60% - 11.10% 9.35%
Tax rate 20.30% - 22.80% 21.55%
Cost of debt 4.00% - 4.50% 4.25%
WACC 6.0% - 8.3% 7.2%
WACC

CG WACC calculation

Category Low High
Long-term bond rate 3.9% 4.4%
Equity market risk premium 4.6% 5.6%
Adjusted beta 0.81 1.11
Additional risk adjustments 0.0% 0.5%
Cost of equity 7.60% 11.10%
Tax rate 20.30% 22.80%
Debt/Equity ratio 0.56 0.56
Cost of debt 4.00% 4.50%
After-tax WACC 6.0% 8.3%
Selected WACC 7.2%

CG's CAPM model and how its cost of Equity is calculated

The Cost of Equity reflects the return a company needs to deliver to shareholders to justify the risk of investing in its shares. It’s computed using the Capital Asset Pricing Model (CAPM), which blends the risk-free rate, the stock’s beta, and the market risk premium.

This method evaluates the stock’s risk compared to a safe investment and the market’s overall volatility.

Here’s how we figure out the cost of equity for CG:

cost_of_equity (9.35%) = risk_free_rate (4.15%) + equity_risk_premium (5.10%) * adjusted_beta (0.81) + risk_adjustments (0.25%)

We include the risk adjustments, which range from 0% to 1%, to keep our WACC conservatives, especially for companies traded in developing markets.